Public company info - Quam Plus International Financial Limited , 00952.HK

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Quam Plus International Financial Limited, 00952.HK - Dividend History
Announce Date Year End Event Particular Type Ex-Date Book Close Date Payable Date
2023-08-24 2023/12 Interim No Dividend - 1970-01-01 1970-01-01 - 1970-01-01 1970-01-01
2023-03-28 2022/12 Final No Dividend - 1970-01-01 1970-01-01 - 1970-01-01 1970-01-01
2022-08-30 2022/12 Interim No Dividend - 1970-01-01 1970-01-01 - 1970-01-01 1970-01-01
2022-03-30 2021/12 Final No Dividend - 1970-01-01 1970-01-01 - 1970-01-01 1970-01-01
2021-08-26 2021/12 Interim No Dividend - 1970-01-01 1970-01-01 - 1970-01-01 1970-01-01
2021-03-25 2020/12 Final D:HKD 0.0050 Cash 2021-05-26 2021-05-28 - 2021-06-01 2021-06-25
2020-08-27 2020/12 Interim No Dividend - 1970-01-01 1970-01-01 - 1970-01-01 1970-01-01
2020-03-26 2019/12 Final No Dividend - 1970-01-01 1970-01-01 - 1970-01-01 1970-01-01
2019-08-05 2019/12 Interim No Dividend - 1970-01-01 1970-01-01 - 1970-01-01 1970-01-01
2019-03-28 2018/12 Final No Dividend - 1970-01-01 1970-01-01 - 1970-01-01 1970-01-01
2018-08-29 2018/12 Interim No Dividend - 1970-01-01 1970-01-01 - 1970-01-01 1970-01-01
2018-03-28 2017/12 Final No Dividend - 1970-01-01 1970-01-01 - 1970-01-01 1970-01-01
2017-12-18 - Special R:8-for-3@HKD 1.1000(not proceed as announced on 2018/09/10) - 1970-01-01 1970-01-01 - 1970-01-01 1970-01-01
2017-11-28 2018/03 Interim No Dividend - 1970-01-01 1970-01-01 - 1970-01-01 1970-01-01
2017-06-28 2017/03 Final No Dividend - 1970-01-01 1970-01-01 - 1970-01-01 1970-01-01
2017-05-01 - Special R:3-for-1@HKD 1.1000 - 2017-07-06 2017-07-10 - 2017-07-13 2017-07-28
2016-11-30 2017/03 Interim No Dividend - 1970-01-01 1970-01-01 - 1970-01-01 1970-01-01
2016-06-29 2016/03 Final D:HKD 0.0050 Cash 2016-08-23 2016-08-25 - 2016-08-26 2016-09-15
2015-10-30 2016/03 Interim D:HKD 0.0100 Cash 2015-11-12 2015-11-16 - 2015-11-17 2015-12-01
2015-06-18 2015/03 Final D:HKD 0.0050 Cash 2015-08-11 2015-08-13 - 2015-08-17 2015-09-07
2014-11-20 2015/03 Interim D:HKD 0.0050 Cash 2014-12-04 2014-12-08 - 2014-12-10 2014-12-31
2014-06-19 2014/03 Final D:HKD 0.0050 Cash 2014-08-11 2014-08-13 - 2014-08-15 2014-08-28
2014-02-20 - Special O: 1 note-for-10,000@HKD 840.0000(1,600 wts for 1 unit of notes taken up) - 2014-03-06 2014-03-10 - 2014-03-12 2014-03-28
2013-11-22 2014/03 Interim D:HKD 0.0050 Cash 2013-12-06 2013-12-10 - 2013-12-12 2014-01-22
2013-06-18 2013/03 Final No Dividend - 1970-01-01 1970-01-01 - 1970-01-01 1970-01-01
2012-11-27 2013/03 Interim No Dividend - 1970-01-01 1970-01-01 - 1970-01-01 1970-01-01
2012-06-22 2012/03 Final No Dividend - 1970-01-01 1970-01-01 - 1970-01-01 1970-01-01
2011-11-28 2012/03 Interim No Dividend - 1970-01-01 1970-01-01 - 1970-01-01 1970-01-01
2011-08-17 2012/03 Special R:1-for-4@HKD 0.2500 - 2011-08-30 2011-09-01 - 2011-09-05 2011-09-22
2011-06-17 2011/03 Final D:HKD 0.0050 Cash 2011-08-02 2011-08-04 - 2011-08-08 2011-09-06
2010-11-26 2011/03 Interim No Dividend - 1970-01-01 1970-01-01 - 1970-01-01 1970-01-01
2010-06-04 2010/03 Final No Dividend - 1970-01-01 1970-01-01 - 1970-01-01 1970-01-01
2009-12-23 2010/03 Special R: 1 -for- 5@HKD 0.2300 - 2010-01-05 2010-01-07 - 2010-01-11 2010-01-26
2009-11-26 2010/03 Interim D:HKD 0.0100 Cash 2009-12-10 2009-12-14 - 2009-12-17 2010-01-06
2009-06-05 2009/03 Final No Dividend - 1970-01-01 1970-01-01 - 1970-01-01 1970-01-01
2008-12-04 2009/03 Interim D:HKD 0.0050 Cash 2008-12-18 2008-12-22 - 2008-12-24 2009-01-15
2008-07-09 2008/03 Final B: 1 - for - 10 Scrip 2008-09-03 2008-09-05 - 2008-09-11 1970-01-01
2007-12-06 2008/03 Interim D: HKD 0.0150 Cash 2007-12-20 2007-12-24 - 2007-12-28 2008-01-09
2007-07-11 2008/03 Special B: 1 - for - 5 Scrip 2007-08-06 2007-08-08 - 2007-08-14 1970-01-01
2007-07-05 2007/03 Final D: HKD 0.0200 Cash 2007-08-06 2007-08-08 - 2007-08-14 2007-08-24
2006-11-30 2007/03 Interim D: HKD 0.0150 Cash 2006-12-14 2006-12-18 - 2006-12-20 2007-01-22
2006-07-21 2007/03 Special B: 1 - for - 4 Scrip 2006-09-07 2006-09-11 - 2006-09-18 1970-01-01
2006-07-21 2006/03 Final No Dividend - 1970-01-01 1970-01-01 - 1970-01-01 1970-01-01
2005-12-16 2006/03 Interim No Dividend - 1970-01-01 1970-01-01 - 1970-01-01 1970-01-01
2005-07-08 2005/03 Final No Dividend - 1970-01-01 1970-01-01 - 1970-01-01 1970-01-01
2004-12-09 2005/03 Interim No Dividend - 1970-01-01 1970-01-01 - 1970-01-01 1970-01-01
2004-07-08 2004/03 Final No Dividend - 1970-01-01 1970-01-01 - 1970-01-01 1970-01-01
2003-11-21 2004/03 Interim No Dividend - 1970-01-01 1970-01-01 - 1970-01-01 1970-01-01
2003-07-24 2003/03 Final No Dividend - 1970-01-01 1970-01-01 - 1970-01-01 1970-01-01
2002-12-16 2003/03 Interim No Dividend - 1970-01-01 1970-01-01 - 1970-01-01 1970-01-01
2002-09-20 2003/03 Special C: 1 - for - 50 - 2002-10-04 1970-01-01 - 1970-01-01 1970-01-01
2002-07-15 2003/03 Special R: 3 - for - 5@HKD 0.0150 - 2002-07-26 2002-07-30 - 2002-08-01 2002-08-16
2002-07-09 2002/03 Final No Dividend - 1970-01-01 1970-01-01 - 1970-01-01 1970-01-01
2001-12-21 2002/03 Interim No Dividend - 1970-01-01 1970-01-01 - 1970-01-01 1970-01-01
2001-07-04 2001/03 Final No Dividend - 1970-01-01 1970-01-01 - 1970-01-01 1970-01-01
2000-12-18 2001/03 Interim No Dividend - 1970-01-01 1970-01-01 - 1970-01-01 1970-01-01
2000-07-27 2000/03 Final No Dividend - 1970-01-01 1970-01-01 - 1970-01-01 1970-01-01

Notes:CA–Cash; SC–Scrip; CS–Cash/Scrip

 

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